ROLE PURPOSE
Maintain records on various statistics information and provide support to the dealers in Monetary Policy/Implementation, (MPI) section.
PRINCIPAL ACCOUNTABILITIES
Assist in daily operations of Monetary Policy Implementation in the following areas:
1. Issuing/tendering of the Government domestic debt and the Bank’s monetary policy instrument via Fully Automated System for Issuing/Tendering (FAST).
2. Prepare documentation for Islamic money market transaction and Government issuances
3. Generate, disseminate and act as liaison for daily and monthly exchange rate reports to Government and Government Agencies.
4. Compile volume of business done through money brokers and compute the daily and monthly volume in conventional & Islamic money market, securities and forex market.
5. Consolidating daily yield-to-maturity for specified securities submitted by financial institutions.
6. Maintaining primary market database for new issue government and BNM securities for market monitoring purposes.
7. Produce ‘Market Information Kit’ which contain a summary of money market transactions, securities trading and FX activities on monthly basis.
8. Update record and data inputs for various application and system
- To assist ringgit operation dealers to process daily request for static data creation in ROMS
submitted by the financial institutions, the calculation of KL USD/MYR Reference Rate,
preparation of Dynamic Hedging report and other ad-hoc foreign exchange data related reports
- To maintain the money market interbank, fixed deposit rate, benchmark securities rate in the database and transmit to another user department and BNM’s website.
- Compile, publish and maintain data in Islamic Money Market website on daily basis.
- To assist money market dealers to monitor the level of interbank rates traded in the money market.
- Update and confirm financial market data in the Integrated Data for Decision Making (IDDM) and SAS-EG
- Update static information and maintain accuracy of dynamic information in bond info hub website.
- Maintain and update FAST database.
- Update and generate periodical management reports
Academic Qualifications: Diploma in Accounting/Business/Information Technology or related discipline. CGPA - 3.00 above
•Experience: Preferably 2 - 3 years’ experience in treasury operation related job.
TECHNICAL SKILLS/ KNOWLEDGE
- Intermediate skills in MS Office (e.g. Word, Excel, Powerpoint).
- Data visualization tools (e.g. Power BI, Tableau) – would be value add.
- Visual Basic & Macro
Job Type: Contract
Contract length: 12 months
Pay: RM3,500.00 - RM5,000.00 per month
Benefits:
- Health insurance
- Opportunities for promotion
- Professional development
Schedule:
- Day shift
- Monday to Friday
Education:
- Diploma/Advanced Diploma (Preferred)
Work Location: In person